av/knife-riv-co--big.svg

NYSE:KNF

Knife River

  • Stock

USD

Last Close

101.08

08/11 21:00

Market Cap

4.12B

Beta: -

Volume Today

256.31K

Avg: 599.31K

PE Ratio

27.29

PFCF: 20.95

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
-40.01M
-
38.56M
196.38%
99.66M
158.43%
18.01M
81.93%
-41.32M
329.43%
56.84M
237.55%
146.66M
158.03%
20.70M
85.89%
-47.63M
330.09%
77.93M
263.62%
148.10M
90.04%
depreciation and amortization
28.01M
-
30.64M
9.40%
30.45M
0.62%
19.68M
35.37%
26.65M
35.40%
31.09M
16.65%
32.56M
4.75%
31.30M
3.88%
32.21M
2.91%
34.51M
7.14%
-66.72M
293.34%
deferred income tax
-3.39M
-
2.41M
171.23%
6.02M
149.30%
-2.96M
149.27%
-757K
74.47%
-4.60M
507.40%
3.47M
175.49%
278K
91.99%
-311K
211.87%
5.05M
1,723.79%
-4.74M
193.84%
stock based compensation
333K
-
333K
0%
-40.96M
12,401.20%
472K
101.15%
453K
4.03%
212K
53.20%
1.46M
589.62%
761K
47.95%
1.81M
137.98%
1.80M
0.61%
-5.39M
399.22%
change in working capital
-61.91M
-
-143.60M
131.94%
51.09M
135.57%
125.91M
146.48%
-64.68M
151.37%
-106.76M
65.05%
35.76M
133.49%
126.21M
252.97%
-27.82M
122.04%
-162.44M
483.99%
190.26M
217.12%
accounts receivables
10.84M
-
-226.00M
2,184.30%
-24.16M
89.31%
207.06M
956.96%
34.27M
83.45%
-270.66M
889.84%
-66.14M
75.56%
247.79M
474.63%
76.82M
69.00%
-254.92M
431.86%
-46.70M
81.68%
inventory
-49.48M
-
-16.77M
66.10%
47.63M
383.95%
-12.41M
126.05%
-49.94M
302.43%
-1.16M
97.67%
59.67M
5,234.77%
-4.87M
108.16%
-56.16M
1,054.13%
-9.27M
83.49%
38.13M
511.19%
accounts payables
9.62M
-
63.46M
559.85%
-3.53M
105.56%
-52.06M
1,374.87%
1.88M
103.61%
100.69M
5,255.64%
-10.90M
110.83%
-58.56M
437.13%
-4.18M
92.86%
62.04M
1,583.05%
19.35M
68.81%
other working capital
-32.89M
-
35.71M
208.56%
31.15M
12.78%
-16.67M
153.53%
-50.89M
205.25%
64.38M
226.50%
53.13M
17.47%
-58.15M
209.44%
-44.29M
23.84%
39.71M
189.67%
4.58M
88.47%
other non cash items
808K
-
6K
99.26%
40.96M
682,583.33%
6.93M
83.07%
382K
94.49%
32.13M
8,309.95%
3.40M
89.42%
-13.17M
487.67%
48.28M
466.55%
269.57M
458.28%
-21.83M
108.10%
net cash provided by operating activities
-76.16M
-
-71.65M
5.93%
187.21M
361.30%
168.04M
10.24%
-79.28M
147.18%
8.90M
111.23%
223.31M
2,408.76%
166.07M
25.63%
-43.21M
126.02%
-46.57M
7.77%
239.68M
614.69%
investments in property plant and equipment
-40.79M
-
-39.46M
3.26%
-41.59M
5.38%
-56.32M
35.44%
-42.41M
24.70%
-24.17M
43.01%
-19.87M
17.78%
-37.85M
90.47%
-43.69M
15.43%
-59.93M
37.18%
-23.58M
60.66%
acquisitions net
-524K
-
2.40M
-
1.29M
45.95%
3.22M
148.73%
896K
72.18%
1.11M
23.88%
3.07M
176.85%
1.63M
46.99%
-5.07M
411.36%
-11.56M
127.86%
purchases of investments
-1.50M
-
-107K
92.87%
-618K
477.57%
-113K
81.72%
-1.57M
1,285.84%
-89K
94.32%
-109K
22.47%
-136K
24.77%
-3.01M
2,112.50%
-123K
95.91%
3.13M
2,646.34%
sales maturities of investments
40.79M
-
56.32M
-
-3.22M
105.72%
-896K
72.18%
-1.11M
23.88%
other investing activites
-38.23M
-
1.74M
104.54%
-39.16M
-
3.22M
108.23%
896K
72.18%
1.11M
23.88%
-1.38M
-
5.01M
463.26%
4.40M
12.23%
net cash used for investing activites
-40.26M
-
-37.83M
6.02%
-39.81M
5.22%
-37.98M
4.60%
-40.75M
7.31%
-23.36M
42.68%
-18.87M
19.22%
-34.91M
85.01%
-45.07M
29.09%
-65.13M
44.51%
-27.60M
57.62%
debt repayment
-116K
-
-31K
73.28%
-128.11M
413,158.06%
-207.10M
61.66%
-68K
99.97%
-59K
13.24%
-1.76M
2,889.83%
-14.96M
747.85%
-1.74M
88.38%
-1.76M
1.55%
-3.50M
98.47%
common stock issued
-26K
-
26K
-
common stock repurchased
-28K
-
1.67M
6,075%
dividends paid
other financing activites
114.68M
-
110.23M
3.88%
-12.97M
111.77%
68.09M
624.81%
117.23M
72.16%
75.82M
35.33%
-155M
304.44%
29.90M
119.29%
-1.65M
105.50%
-28K
98.30%
6K
121.43%
net cash used provided by financing activities
114.56M
-
110.20M
3.81%
-141.09M
228.02%
-139.00M
1.47%
117.16M
184.29%
75.73M
35.36%
-156.76M
307.00%
14.97M
109.55%
-3.38M
122.60%
-1.79M
47.00%
-1.82M
1.73%
effect of forex changes on cash
10K
-
net change in cash
-1.86M
-
722K
138.88%
6.32M
774.65%
-8.94M
241.54%
-2.87M
67.87%
61.27M
2,233.39%
47.67M
22.20%
146.14M
206.57%
-91.66M
162.72%
-113.49M
23.81%
210.23M
285.24%
cash at beginning of period
13.85M
-
11.99M
13.41%
19.03M
-
10.09M
46.97%
7.22M
28.46%
68.49M
848.86%
116.16M
69.60%
262.32M
125.83%
170.66M
34.94%
57.17M
66.50%
cash at end of period
11.99M
-
12.71M
6.02%
6.32M
50.33%
10.09M
59.78%
7.22M
28.46%
68.49M
848.86%
116.16M
69.60%
262.30M
125.81%
170.66M
34.94%
57.17M
66.50%
267.40M
367.74%
operating cash flow
-76.16M
-
-71.65M
5.93%
187.21M
361.30%
168.04M
10.24%
-79.28M
147.18%
8.90M
111.23%
223.31M
2,408.76%
166.07M
25.63%
-43.21M
126.02%
-46.57M
7.77%
239.68M
614.69%
capital expenditure
-40.79M
-
-39.46M
3.26%
-41.59M
5.38%
-56.32M
35.44%
-42.41M
24.70%
-24.17M
43.01%
-19.87M
17.78%
-37.85M
90.47%
-43.69M
15.43%
-59.93M
37.18%
-23.58M
60.66%
free cash flow
-116.95M
-
-111.11M
5.00%
145.62M
231.06%
111.72M
23.28%
-121.69M
208.92%
-15.27M
87.45%
203.43M
1,432.41%
128.22M
36.97%
-86.90M
167.77%
-106.50M
22.56%
216.10M
302.91%

All numbers in USD (except ratios and percentages)